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PROFIT & LOSS

Tag Archives: Options

Sold July 48 put in /CL on May 15. Closed the trade on May 29 for a profit of $72.58. Click on the image below to view trade details.

Sold an Aug 46/73.5 strangle in crude oil on June 1. Close the trade on June 8 for a profit of $155.16. Click on the image below to view trade details.

Sold 2 x July 148/175 strangle in 30-year US treasuries on April 27. Adjusted the trade by selling 2 x July 163 calls on May 19 after being tested on the downside. Sold another 2x July 160 calls as a second adjustment on June 3 as a second adjustment. Closed all 4 legs on June 16 for a profit of $232.10. Click on the image below to view trade details.

Sold an Aug 48/69 strangle in crude oil on June 15. Close the trade on June 22 for a profit of $115.16. Click on the image below to view trade details.

Sold 2 x Aug 140/164 strangle in crude oil on June 1. Close the trade on June 22 for a profit of $37.94. Wanted to see how the markets were going to react in relation to the Greek debt crisis. Click on the image below to view trade details.

– Adjusted by selling another put (43 strike) on April 16 during the large rally.
– Closed the 62 call for a loss on May 7 after that side was being tested. In hind sight if left alone would have expired worthless … of course hind sight being 20/20
– Both the puts (30.5, 43) expired worthless